MBA学生应该学习金融理论吗

C. Firer
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引用次数: 1

摘要

摘要学生到商学院学习是为了获得成为优秀总经理所必需的技能。本文提出的问题是,这些学生学习理论,特别是金融理论,是否有好处。在简要回顾了财务管理领域之后,讨论了财务管理理论的概念。接下来是关于为什么一般来说应该研究理论的一些想法。然后,风险与回报理论作为金融研究的概念框架提出,并表明该框架对管理专业的学生有多重要。一些评论接着讨论了理论与实践之间的差距,最后有人假设,在风险回报框架下教授金融,可能会被视为MBA课程的关键科目。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Should MBA students study the Theory of Finance
AbstractStudents come to business schools to gain the skills necessary to be good general managers. This paper poses the question as to whether there is a benefit to such students to be taught theory—and in particular the theory of finance. After briefly reviewing the field of financial management, the concept of a theory is discussed. This is followed by some thoughts on why, in general, theories should be studied. The theory of risk and return is then presented as a conceptual framework for the study of finance, and it is shown how important this framework is for students of management. Some comments follow on the gap between theory and practice, and finally it is postulated that finance, when taught in a risk-return framework, may be considered to be the key subject on the MBA programme.
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